The club treasury the next treasurer understands.

Cash book, receipts and festival till in one — ready to hand over, ready for audit.

Every income, every expense, every receipt — in one place.

Photograph the receipt, enter the booking, done. No Excel, no shoebox.

The treasurer sees what's still open.

Expected membership fees and promised payments sit as open items beside the cash book — visible at any time, without running your own membership database.

Audit without the stress.

One click exports the year with every receipt — exactly what the auditors want to see.

Festival till included.

Summer festival or bar night? The till module runs on a tablet — tags for the guests, credit, end-of-day closeout with target-vs-actual per till. Every take lands in the cash book automatically.

Handover in minutes, not evenings.

The new treasurer takes over box and books — the history stays complete and traceable.

Get the box Start in the cloud 14-day trial — no card.